debtor's process
Produce monthly management accounts
Process year-end journal entries
Handle
Financial Management Budgets Management Accounts Tax and statutory returns (VAT, PAYE, UIF) Cash flow
materially accurate in all respects and compliant with accounting reporting frameworks Ensure daily cash management Robyn Peskin Recruitment Researcher: Chartered Accountants & General Finance rpeskinnetworkfinance.co
card slips and reconcile bank statements on the accounting platform.
Creating and maintaining stock codes. Assisting Accountants with month end procedures, i.e. balance sheet reconciliations. Maintaining SOP's. Assisting Accounts Payable with PO's and GRN matching. Assisting
Creating and maintaining stock codes. Assisting Accountants with month end procedures, i.e. balance sheet reconciliations. Maintaining SOP's. Assisting Accounts Payable with PO's and GRN matching. Assisting
vehicle received and or released
each vehicle received and or released Accurately account for all vehicles, match the checks to the information information provided on the system : i.e. account number, Vehicle Identification number (VIN), make, model
to the exceptionally high volumes of applications, we are unable to correspond with each applicant personally any correspondence from our company within 30 days, we regret your application has been unsuccessful.
work ethic and sense of responsibility and accountability